krenshaw company reported total sales revenue of $80,000, total expenses of $72,000, and net income of $8,000 for the year. during the year, accounts receivable increased by $3,000, merchandise inventory decreased by $2,000, accounts payable increased by $1,000, and $5,000 in depreciation expense was recorded. assuming no other adjustments to net income are needed, the net cash inflow from operating activities using the indirect method was: a. $11,000 b. $13,000 c. $10,000 d. $19,000

Answers

Answer 1

The net cash inflow from operating activities using the indirect method for Krenshaw Company is $13,000 (option B).

To determine the net cash inflow from operating activities using the indirect method for Krenshaw Company, we need to follow these steps:

1. Start with a net income of $8,000.
2. Add back the depreciation expense of $5,000, as it is a non-cash expense.
3. Adjust for changes in working capital accounts:
  a. Subtract the increase in accounts receivable of $3,000.
  b. Add the decrease in merchandise inventory of $2,000.
  c. Add the increase in accounts payable of $1,000.

Now, let's calculate the net cash inflow from operating activities:

$8,000 (net income) + $5,000 (depreciation) - $3,000 (increase in accounts receivable) + $2,000 (decrease in merchandise inventory) + $1,000 (increase in accounts payable) = $13,000.

So, the net cash inflow from operating activities using the indirect method for Krenshaw Company is $13,000 (option B).

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Related Questions

a supply chain has the following information: supplier factory wholesale retailer inventory in days* 30 90 40 20 accounts receivable in days 20 45 30 40 accounts payable in days 30 45 60 37 sourcing unit cost $5 $20 $55 $70 added unit cost $10 $25 $10 $30 sales unit price $20 $55 $70 $110 on-time delivery (%) 85 95 75 95 *this is also the throughput time in days. a. compute the total supply chain throughput time for all the entities from beginning to end. b1. compute the cash-to-cash cycle time for each of the four entities separately. b2. based on this calculation, who is benefiting the most? multiple choice retailer wholesaler supplier factory c. compute the total delivered unit cost in the supply chain from beginning to end. how much profit is there in the supply chain?

Answers

The total supply chain throughput time can be computed by adding the inventory in days and the accounts receivable in days for each entity. For example, for the supplier, the total throughput time would be 50 days (30 days of inventory + 20 days of accounts receivable). The total profit in the supply chain is $205 ($20 + $225 + $270 + $100 - $120).

The cash-to-cash cycle time for each entity can be computed by subtracting the accounts payable in days from the throughput time. For example, for the supplier, the cash-to-cash cycle time would be 20 days (50 days of throughput time - 30 days of accounts payable). Based on this calculation, the supplier is benefiting the most with a cash-to-cash cycle time of only 20 days.

To compute the total delivered unit cost in the supply chain, we need to add the sourcing unit cost and the added unit cost for each entity. For example, for the supplier, the delivered unit cost would be $25 ($5 sourcing unit cost + $20 added unit cost). The total delivered unit cost for the supply chain is $120 ($25 + $35 + $65 + $35).

To calculate the profit in the supply chain, we need to subtract the total delivered unit cost from the sales unit price for each entity and then add them together. For example, for the supplier, the profit would be $45 ($70 sales unit price - $25 delivered unit cost). The total profit in the supply chain is $205 ($20 + $225 + $270 + $100 - $120).

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new corp. issues 2,000 shares of $10 par value common stock at $16 per share. when the transaction isrecorded, credits are made toa. common stock $20,000 and paid-in capital in excess of stated value $12,000.b. common stock $32,000.c. common stock $20,000 and paid-in capital in excess of par $12,000.d. common stock $20,000 and retained earnings $12,000

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The correct answer is  (C) common stock $20,000 and paid-in capital in excess of par $12,000.

When a corporation issues shares of common stock, it records the transaction in the stockholders' equity section of its balance sheet. The par value is the minimum price at which a share can be issued, and it is set by the corporation's charter. In this case, the par value of the common stock is $10 per share.
However, the actual price at which the shares are issued may be higher or lower than the par value. In this case, the shares are issued at $16 per share, which is higher than the par value. The difference between the issue price and the par value is called the "paid-in capital in excess of par" or "additional paid-in capital."
To record this transaction, the corporation would debit the cash account for $32,000 (2,000 shares x $16 per share). It would then credit the common stock account for $20,000 (2,000 shares x $10 par value per share) and the paid-in capital in excess of par account for $12,000 (2,000 shares x $6 additional paid-in capital per share).
The retained earnings account is not affected by this transaction because the corporation is not using any of its earnings to issue the shares of common stock.

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which is the most accurate summary of the differentiation some writers have given between leadership and management?

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The most accurate summary of the difference between leadership and management given by some authors is that leadership focuses on vision and motivation, while management focuses on planning and execution. Here option A is the correct answer.

Leadership and management are related concepts but have different emphases. Leadership involves inspiring and guiding people to achieve a shared vision or goal, usually through effective communication and personal influence. In contrast, management involves planning, organizing, and controlling resources to achieve specific objectives or outcomes.

Leadership tends to be more concerned with the bigger picture, setting direction, and inspiring followers to embrace a vision, whereas management focuses on the details of executing plans and achieving specific goals. Leadership may involve more innovation and creativity, while management emphasizes efficiency and effectiveness.

Overall, while leadership and management are both important for achieving organizational success, they require different skills and approaches. Effective leaders and managers need to be able to understand and balance these different perspectives to achieve the best outcomes for their organization.

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Complete question:

Which is the most accurate summary of the differentiation some writers have given between leadership and management?

A) Leadership is focused on vision and motivation, while management is focused on planning and execution.

B) Leadership is focused on short-term goals, while management is focused on long-term goals.

C) Leadership is focused on maintaining the status quo, while management is focused on driving change.

D) Leadership and management are interchangeable terms with no significant difference.

the fellowes company has developed standards for direct labor. during june, 75 units were scheduled and 100 were produced. data related to direct labor are: standard hours allowed 3hours per unit standard wages allowed$4.00per hour actual direct labor 310hours (total cost $1,209) what is the direct labor rate variance for june?

Answers

The direct labor rate variance for June can be calculated using the following formula:

Direct labor rate variance = (Actual rate - Standard rate) x Actual hours
First, we need to determine the standard rate for direct labor. We know that the standard wages allowed per hour is $4.00, so the standard rate for direct labor is also $4.00 per hour.
Next, we need to calculate the actual rate for direct labor. We know that the total cost of actual direct labor was $1,209 and the actual hours worked were 310. Therefore, the actual rate for direct labor is:
Actual rate = Total cost / Actual hours
Actual rate = $1,209 / 310
Actual rate = $3.90 per hour

Now we can plug in the numbers into the formula:
Direct labor rate variance = ($3.90 - $4.00) x 310
Direct labor rate variance = (-$0.10) x 310
Direct labor rate variance = -$31

The direct labor rate variance for June is -$31. This means that the actual rate for direct labor was lower than the standard rate, resulting in a negative variance. The company paid less for direct labor than it would have if it had paid the standard rate.

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Workers and managers can identify and address inefficiencies to allow for cheaper production. This is a _____ strategy to generate additional profits.

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Workers and managers can identify and address inefficiencies to allow for cheaper production. This is described is a cost-cutting strategy to generate additional profits.

Cheaper production refers to the process of reducing the costs of producing goods or services without sacrificing quality. This can be achieved through a variety of means, such as improving efficiency in the production process, reducing waste, using lower-cost materials or suppliers, negotiating better deals with suppliers or customers, and streamlining operations.

Cheaper production can have significant benefits for businesses, such as increased profitability, a competitive advantage over other firms in the market, and the ability to offer lower prices to customers. However, it is important to balance cost-cutting measures with maintaining quality and meeting customer expectations. Businesses must also consider the potential impact of cost-cutting measures on their employees, suppliers, and other stakeholders, and ensure that they are acting ethically and responsibly in pursuing cheaper production.

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f the yield curve slope is flat for short maturities and then slopes steeply upward for longer maturities, the liquidity premium theory (assuming a mild preference for shorter-term bonds) indicates that the market is predicting 30) a) constant short-term interest rates in the near future and a decline further out in the future. b) a decline in short-term interest rates in the near future and a rise further out in the future. c) constant short-term interest rates in the near future and further out in the future. d) a rise in short-term interest rates in the near future and a decline further out in the future

Answers

If the yield curve slope is flat for short maturities and then slopes steeply upward for longer maturities, the liquidity premium theory (assuming a mild preference for shorter-term bonds) indicates that the market is predicting a decline in short-term interest rates in the near future and a rise further out in the future. So the option b is correct.

According to the theory of the liquidity premium, investors like shorter-term bonds over longer-term bonds because they can more easily retrieve their money from shorter-term bonds in the event of a sudden change in the economy or other unforeseen circumstances.

Short-term interest rates are thought to decline in the near future when the yield curve is flat for short maturities and slopes strongly upward for longer maturities. This might be brought on by a predicted drop in inflation, a predicted drop in credit demand, or a predicted drop in the price of borrowing money from other sources. So the option b is correct.

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aggregate demand (ad) and aggregate supply (as) model question 1 price level aggregate demand short-run as long-run as 100 700 200 450 120 600 325 450 140 500 500 450 160 400 570 450 180 300 620 450 a) plot the ad/as diagram. identify the short-run equilibrium. b) would you expect unemployment in this economy to be relatively high or low? c) would you expect concern about inflation in this economy to be relatively high or low? d) imagine that consumers begin to lose confidence about the state of the economy, and so ad becomes lower by 275 at every price level. identify the new aggregate equilibrium. e) how will the shift in ad affect the original output, price level, and employment?

Answers

The AD/AS model is used to analyze the relationship between the aggregate demand and supply in an economy. The model shows the equilibrium level of price and output in both the short run and long run.

a) To plot the AD/AS diagram, we need to take the given data and plot the aggregate demand curve and aggregate supply curve on the same graph. The price level is on the vertical axis, while the output is on the horizontal axis. The equilibrium point is where the aggregate demand and supply curves intersect. In this case, the short-run equilibrium point is where the aggregate demand curve intersects the short-run aggregate supply curve at a price level of 140 and an output level of 500.

b) Since the economy is operating at the short-run equilibrium point, we can assume that unemployment is relatively low. The economy is producing at its potential output level, which means that firms are utilizing all their resources, including labor.

c) Concern about inflation in the economy would be relatively low. At the short-run equilibrium point, the price level is 140. This level of price is stable and is not expected to increase or decrease in the short run.

d) If consumers begin to lose confidence in the economy and AD becomes lower by 275 at every price level, the aggregate demand curve will shift leftward. The new equilibrium point will be where the new aggregate demand curve intersects the short-run aggregate supply curve.

e) The shift in AD will have the following effects on the original output, price level, and employment:

- Output: The new equilibrium point will be at a lower output level than the original equilibrium point. In this case, the new output level will be around 325.
- Price level: The new equilibrium point will be at a lower price level than the original equilibrium point. In this case, the new price level will be around 120.
- Employment: The shift in AD will lead to a decrease in employment since the output level has decreased. This means that there will be a higher level of unemployment in the economy.

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using the advanced filter, display only the records with an automatic transmission type, that are a midsize vehicle size, with an msrp of <30000.

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To display only the records with an automatic transmission type, that are a midsize vehicle size, with an msrp of <30000 using advanced filter, follow these steps:

1. Open the Excel sheet that contains the data you want to filter.
2. Select the data range that you want to filter.
3. Click on the "Data" tab in the ribbon at the top of the screen.
4. Click on "Advanced" in the "Sort & Filter" group.
5. In the "Advanced Filter" dialog box, select "Filter the list, in place".
6. Select the column headers that contain the data you want to filter by. In this case, select the "Transmission Type", "Vehicle Size", and "MSRP" columns.
7. In the "Criteria" row for each selected column, enter the criteria that you want to use for the filter. For "Transmission Type", enter "Automatic". For "Vehicle Size", enter "Midsize". For "MSRP", enter "<30000".
8. Click "OK" to apply the filter.

The advanced filter is a powerful feature in Excel that allows you to filter data based on multiple criteria. To use advanced filter to display only the records with an automatic transmission type, that are a midsize vehicle size, with an msrp of <30000, you need to specify the criteria for each column that you want to filter.

First, select the range of data that you want to filter. This could be a single column or multiple columns of data. Next, click on the "Data" tab in the ribbon at the top of the screen, and then click on "Advanced" in the "Sort & Filter" group.

In the "Advanced Filter" dialog box that appears, make sure that "Filter the list, in place" is selected. This means that the filter will be applied to the selected data range without copying the filtered data to another location.

Next, select the column headers that contain the data you want to filter by. In this case, select the "Transmission Type", "Vehicle Size", and "MSRP" columns. For each selected column, Excel will display a "Criteria" row that allows you to specify the filter criteria.

In the "Criteria" row for the "Transmission Type" column, enter "Automatic". This tells Excel to only display records where the "Transmission Type" column contains the word "Automatic". In the "Criteria" row for the "Vehicle Size" column, enter "Midsize". This tells Excel to only display records where the "Vehicle Size" column contains the word "Midsize". In the "Criteria" row for the "MSRP" column, enter "<30000". This tells Excel to only display records where the "MSRP" column contains a value less than 30000.

Once you have entered the criteria for each column, click "OK" to apply the filter. Excel will then display only the records that meet all of the specified criteria. You can then work with the filtered data, such as sorting it or copying it to another location.

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bga has 285,000 shares outstanding that sell for $24 per share. the company plans a 1-for-3 reverse stock split. how many shares will be outstanding after the split? multiple choice 855,000 shares 108,571 shares 95,000 shares 79,167 shares 142,500 shares

Answers

95,000 shares will be outstanding after the split.


Before the split, BGA has 285,000 shares outstanding, each selling for $24. The total market capitalization of the company is:

Market Capitalization = Shares Outstanding x Share Price
Market Capitalization = 285,000 x $24
Market Capitalization = $6,840,000

After the 1-for-3 reverse stock split, each shareholder will receive one new share for every three shares they currently own. This means that the number of outstanding shares will be reduced by a factor of three, while the share price will be tripled. The new share price will be:

New Share Price = Old Share Price / Split Ratio
New Share Price = $24 / 1/3
New Share Price = $72

The new number of outstanding shares can be calculated as:

New Shares Outstanding = Old Shares Outstanding / Split Ratio
New Shares Outstanding = 285,000 / 1/3
New Shares Outstanding = 95,000

Therefore, after the 1-for-3 reverse stock split, BGA will have 95,000 shares outstanding, each selling for $72. The total market capitalization of the company will remain the same:

Market Capitalization = Shares Outstanding x Share Price
Market Capitalization = 95,000 x $72
Market Capitalization = $6,840,000

So, the correct answer to the multiple-choice question is 95,000 shares.

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which of the following sentences most appropriately describe why the pain of losing $3,000 is greater than the joy of winning $3,000 for individuals who are risk averse? check all that apply. risk-averse people are relatively wealthy and simply do not need the additional money. the more wealth that risk-averse people have, the more satisfaction they receive from an additional dollar. the utility function of a risk-averse person exhibits the law of diminishing marginal utility. the more wealth that risk-averse people have, the less satisfaction they receive from an additional dollar.

Answers

The utility function of a risk-averse person exhibits the law of diminishing marginal utility.

This means that as a person's wealth increases, the satisfaction they receive from an additional dollar decreases. Therefore, the pain of losing $3,000 is greater than the joy of winning $3,000 because losing that amount of money would result in a significant decrease in overall satisfaction for a risk-averse individual. Additionally, it is not necessarily true that risk-averse people are relatively wealthy and do not need the additional money. Risk aversion is a personality trait that can be found in individuals of all wealth levels.


The sentence that most appropriately describes why the pain of losing $3,000 is greater than the joy of winning $3,000 for individuals who are risk-averse is: "The utility function of a risk-averse person exhibits the law of diminishing marginal utility." This is because, according to the law of diminishing marginal utility, the more wealth that risk-averse people have, the less satisfaction they receive from an additional dollar. As a result, the negative impact of losing $3,000 is greater than the positive impact of winning $3,000 for risk-averse individuals.

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If 2012 is the base year, then the inflation rate for 2012 equals______.
a) [(cpi in 2013 - cpi in 2012) / cpi in 2012] x 100 b) [(cpi in 2013 - cpi in 2012) / cpi in 2013] x 100 c) [(cpi in 2012 - cpi in 2013) / cpi in 2012] x 100 d) [(cpi in 2012 - cpi in 2013) / cpi in 2013] x 100

Answers

The inflation rate for 2012, if 2012 is the base year, is equal to [(cpi in 2012 - cpi in 2013) / cpi in 2013] x 100. Option d is Correct.

Divide your result by the prior date CPI after deducting the present date CPI from the past date CPI. Add 100 to the results. The percentage change in the inflation rate is your response. The consumer price index was 80.8 in 2012, 100 in 2013, and 107.7 in 2014 if 2013 is the base year. Every base year's CPI is equal to 100.

Using this benchmark, you can compare several different economic measurements that use the base year as their starting point as well as changes between the current year and the base year with ease. Option d is Correct.

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the sequence of activities that add value to the organization are: group of answer choices the strategic cost initiatives. the value processes. the value chain.

Answers

The sequence of activities that add value to the organization are known as the value chain. This concept was introduced by Michael Porter in his book "Competitive Advantage." The value chain includes all the activities that a company undertakes to create and deliver a product or service to the market.

The value chain is divided into two categories: primary activities and support activities. Primary activities include inbound logistics, operations, outbound logistics, marketing and sales, and service. Support activities include procurement, technology development, human resource management, and firm infrastructure.

By analyzing and optimizing each activity in the value chain, companies can increase efficiency, reduce costs, and improve customer satisfaction. Additionally, companies can identify areas where they can differentiate themselves from competitors by creating unique value in their products or services. The value chain is a powerful tool for businesses to gain a competitive advantage and create long-term success.

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an increase in the supply of a currency with a fixed exchange rate will cause which of the following? a. an increase in the demand for the currency b. appreciation of the currency c. depreciation of the currency d. the government to buy more of the currency e. the government to buy less of the currency

Answers

An increase in the supply of a currency with a fixed exchange rate will cause d. the government to buy more of the currency. This is because the government needs to maintain the fixed exchange rate by intervening in the currency market and adjusting the supply accordingly.

An increase in the supply of a currency with a fixed exchange rate will cause option c, depreciation of the currency. This is because when there is an increase in the supply of a currency, it becomes less valuable in comparison to other currencies, leading to a decrease in demand for it and ultimately causing its depreciation.

It is important to note that in a fixed exchange rate system, the government may intervene in the foreign exchange market by buying or selling its currency to maintain the fixed rate. However, the options d and e are not necessarily a direct consequence of an increase in currency supply with a fixed exchange rate.

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sorlini pasta sells pasta throughout italy. which of the following is the strongest evidence that sorlini pasta is suffering from the bullwhip effect? multiple choice they hold a considerable amount of inventory, enough to satisfy their average demand for the next four weeks. just before a snowstorm in the northern part of the country, sales of pasta increased considerably. sorlini sells both fresh and dry pasta products through different types of retailers. most retailers only carry a subset of all of the pastas sorlini offers. the volatility of the orders sorlini receives from its distributors is greater than the volatility of pasta demand at retailers. pasta consumption per capita in southern italy is higher than in northern italy.

Answers

The strongest evidence that Sorlini pasta is suffering from the bullwhip effect is the volatility of the orders they receive from their distributors, which is greater than the volatility of pasta demand at retailers.

This means that the demand for Sorlini pasta fluctuates significantly as it moves up the supply chain, causing the company to overestimate or underestimate demand and resulting in excess inventory or stock shortages.

Additionally, the fact that most retailers only carry a subset of all the pastas Sorlini offers could contribute to this effect as they may not accurately reflect true demand. The other options given are not as strong of evidence of the bullwhip effect, as holding inventory or regional variations in pasta consumption may be expected in any business. The correct option is the volatility of the orders they receive from their distributors, which is greater than the volatility of pasta demand at retailers.

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Jim signs a one year lease with Campus Apartments to rent an apartment for $1,000 for next school year. During the summer he decides to transfer and tells Campus Apartments six weeks before the school year starts he will not need the apartment. Campus Apartments sues Jim for the breach. Which of the following is true:
Group of answer choices
Campus Apartments will not be able to collect anything because Jim provided adequate notice
Campus Apartments will likely be successful in collecting $12,000 from Jim
None of the answers are correct
If Jim can show Campus Apartments failed to mitigate damages he may not have pay the full $12,000
Campus Apartments will only be successful in collecting from Jim if the contract had a liquidated damages provision

Answers

Out of the given answer choices, the most accurate statement is: "If Jim can show Campus Apartments failed to mitigate damages, he may not have to pay the full $12,000."

Jim signed a one-year lease with Campus Apartments for $1,000 per month, totaling $12,000 for the entire school year. He later decided to transfer and informed Campus Apartments six weeks before the school year started that he would not need the apartment. Campus Apartments sued Jim for breach of contract.

When a contract is breached, the non-breaching party (Campus Apartments in this case) has a duty to mitigate, or minimize, the damages they suffer. This means Campus Apartments must make a reasonable effort to find a new tenant for the apartment, rather than leaving it empty and expecting Jim to pay the full $12,000.

If Jim can prove that Campus Apartments failed to make such an effort, he may not be liable for the entire amount. The other answer choices are not entirely accurate, as they either assume there is no duty to mitigate or that the outcome is predetermined based on the specific contract provisions.

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Williams Auto has a machine that installs tires. The machine is now in need of repair. The machine originally cost $10,700 and the repair will cost $1,700, but the machine will then last two years. The variable (labor) cost of operating the machine is $0.70 per tire. Instead of repairing the old machine, Williams could buy a new machine at a cost of $5,700 that would also last two years; the labor cost per tire would be reduced to $0.50 per tire.
a. Total cost to repair and Total cost to replace?
b. Should Williams repair or replace the machine if it expects to install 10,700 tires in the next two years?

Answers

a. The total cost to repair the machine would be $12,400 ($10,700 + $1,700) and the total cost to replace the machine would be $7,700 ($5,700 + $2,000 variable labor cost savings for two years).

b. To determine if Williams should repair or replace the machine, we need to compare the total cost of each option.

For repairing the machine, the total cost would be $12,400. The variable labor cost for installing 10,700 tires would be $7,490 ($0.70 x 10,700).

For replacing the machine, the total cost would be $7,700. The variable labor cost for installing 10,700 tires would be $5,350 ($0.50 x 10,700).

Therefore, it would be more cost-effective for Williams to replace the machine, as the total cost would be lower at $13,050 ($7,700 + $5,350) compared to repairing the machine at $19,890 ($12,400 + $7,490).

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Which type of ics facility is used to temporarily position.

Answers

In the Incident Command System (ICS), the type of facility that is used to temporarily position resources is known as a Staging Area. A staging area is a designated location where resources can be temporarily held, positioned, and assigned before being deployed to their assigned operational area. The purpose of a staging area is to ensure that resources are organized, accounted for, and ready to respond when needed.

Staging areas can be located near the incident or at a distant location, depending on the needs of the response. They can be established by the Operations Section Chief or by other sections as needed. Overall, staging areas are an important part of the ICS system and help to facilitate an effective and efficient response to an incident.
An Incident Command System (ICS) facility that is used to temporarily position and manage resources is called a Staging Area. A Staging Area serves as a location where resources can gather, receive assignments, and prepare for deployment. This facility allows for the efficient and organized management of resources while they are temporarily positioned before being assigned to their specific tasks. The Staging Area is an essential component of the ICS, ensuring that resources are readily available and can be easily deployed when needed.

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_______ is an example of a service where the main mode of delivery is through the service provider who goes to customers. banyan tree resorts barnes and nobles royal flying doctor starbucks

Answers

The Royal Flying Doctor Service is an example of a service where the main mode of delivery is through the service provider who goes to customers.

This organization provides emergency medical services and primary healthcare to people in remote and rural areas, bringing the necessary medical assistance directly to those in need.

What do the royal flying doctors do?

Anyone who lives, works, or travels in Australia's rural and remote areas can get emergency medical and primary health care services from the Royal Flying Doctor Service (RFDS).

Is the Royal Flying Doctor service free?

The service is open round-the-clock and without charge.

The Royal Flying Doctor service: Why is it?

The Royal Flying Doctor Service supports Australians in the outback in a variety of ways. The RFDS offers round-the-clock aeromedical emergency services with a waiting area of 7.69 million square kilometers that can get to any location, no matter how far away, in a matter of hours.

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on june 30, 2024, l. n. bean issued $23 million of its 8% bonds for $21 million. the bonds were priced to yield 10%. interest is payable semiannually on december 31 and july 1. if the effective interest method is used, how much bond interest expense should the company report for the 6 months ended december 31, 2024?

Answers

The bond interest expense that L. N. Bean should report for the 6 months ended December 31, 2024, using the effective interest method can be calculated as follows:

Step 1: Determine the semi-annual coupon payment

The semi-annual coupon payment can be calculated as 8% of the face value of $23 million, divided by 2, which gives us $920,000.

Step 2: Determine the effective interest rate

The effective interest rate is the rate that will be used to calculate the interest expense over the life of the bond. It takes into account the bond's issue price, face value, and the timing of the coupon payments.

To calculate the effective interest rate, we can use the following formula:

Effective Interest Rate = [(Face Value - Issue Price) / Face Value] x (2 / n)

Where:
- Face Value = $23 million
- Issue Price = $21 million
- n = Number of coupon payments per year (in this case, 2)

Plugging in the numbers:

Effective Interest Rate = [(23,000,000 - 21,000,000) / 23,000,000] x (2 / 2)
Effective Interest Rate = 8.70%

Step 3: Calculate the bond interest expense

Using the effective interest rate of 8.70%, we can calculate the bond interest expense for the 6 months ended December 31, 2024:

Bond Interest Expense = Book Value of the Bond at the Beginning of the Period x Effective Interest Rate

The book value of the bond at the beginning of the period is the issue price of $21 million.

Bond Interest Expense = 21,000,000 x 8.70% x (6 / 12)
Bond Interest Expense = $913,500

Therefore, L. N. Bean should report bond interest expense of $913,500 for the 6 months ended December 31, 2024, using the effective interest method.

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Suppose the government imposes a tax on three products with differing demand elasticities. Match the product to the group that will most likely bear the incidence of the tax.

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When a government imposes a tax on a product, the burden of the tax falls on the consumers and/or producers, depending on the demand elasticity of the product.

Here's a brief explanation of how the tax burden is likely to be shared for each of the three products with differing demand elasticities:

Inelastic product: A tax on an inelastic product like medicine or fuel is likely to be borne mostly by consumers. This is because they will continue to purchase the product even if the price increases due to the tax, as the product is considered essential.Unit elastic product: A tax on a unit elastic product like water or electricity is likely to be shared equally between consumers and producers. Both parties will respond to the price increase caused by the tax by reducing their consumption and production, respectively.Elastic product: A tax on an elastic product like designer clothing or high-end electronics is likely to be borne mostly by producers. The price increase caused by the tax will result in a reduction in demand, and producers will have to reduce their prices to maintain demand, thereby bearing the cost of the tax.

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Revenue expenditures are recorded with a debit to ______.

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Revenue expenditures are recorded with a debit entry to an expense account.

Revenue expenditures are the costs that are incurred by a company to maintain its operations on a day-to-day basis. These expenditures do not result in the acquisition of a long-term asset and do not provide any future benefits beyond the current accounting period. Instead, they are expenses that are necessary to keep the business running smoothly.
To record revenue expenditures in the accounting system, a debit entry is made to an expense account. The expense account is used to track the cost of the revenue expenditure and to reduce the profit or income earned by the company. The expense account is a nominal account that is closed at the end of the accounting period, and the balance is transferred to the income statementThe most common expense accounts used to record revenue expenditures include salaries and wages, rent, utilities, supplies, and repairs and maintenance. These accounts are debited when the expenditure is incurred, and the corresponding credit entry is made to either cash or accounts payable, depending on whether the payment was made immediately or deferred.Overall, revenue expenditures are essential for the day-to-day functioning of a business, and they are recorded in the accounting system with a debit entry to an expense account.

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david thomas purchased office furniture for his business. he paid for this furniture with cash. this transaction would .

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The transaction made by David Thomas would be recorded as a cash payment for office furniture.

When David Thomas purchases office furniture with cash, it affects two accounts in his business's financial records. His cash account will decrease because he spent money to buy the furniture, and his office furniture account will increase because he now owns more assets in the form of furniture.

In accounting, this transaction is recorded using a double-entry system, which ensures that the total assets and liabilities of the business remain in balance. In this case, the cash account (an asset) will be debited, and the office furniture account (also an asset) will be credited. This maintains the balance in the financial records and accurately reflects the changes resulting from the transaction.

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When economists speak of scarcity, they are referring to the:.

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When economists speak of scarcity, they are referring to the limited availability of resources in relation to the unlimited wants and needs of people.

: Scarcity is a fundamental concept in economics that highlights the problem of having unlimited wants and needs but limited resources to satisfy them. It means that society has to make choices and trade-offs between different goods and services because there is not enough to meet all the demand. For example, if there is only a limited amount of oil, the economy must decide whether to use it for fuel, plastics, or other products. This creates competition and forces people to prioritize their preferences.

Scarcity is not just about physical resources like oil, but it also includes time, labor, capital, and natural resources. It affects every aspect of the economy, from individual consumers to businesses and governments. In a free market system, prices are the mechanism that signals scarcity to buyers and sellers. When a good or service is in high demand and there is a limited supply, the price will rise. Conversely, when there is an oversupply and low demand, prices will fall. This helps allocate resources efficiently by directing them to where they are most valued. However, scarcity also creates trade-offs and opportunity costs. When resources are used for one purpose, they cannot be used for something else. For instance, if a government spends more money on defense, it will have less money to spend on education or healthcare. Similarly, if a business invests in new technology, it may have to sacrifice short-term profits or delay other projects. These choices have consequences and can affect the well-being of individuals and society as a whole. In conclusion, scarcity is a fundamental concept in economics that reflects the reality of limited resources and unlimited wants. It creates competition, trade-offs, and opportunity costs, and requires society to make choices and prioritize its preferences. Understanding scarcity is crucial for making informed decisions and designing policies that promote economic growth and welfare.

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with a constant money supply, an increase in the demand for money will affect interest rates and bond prices in which of the following ways? (interest rates, bond prices)

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Interest rates will rise and bond prices will fall best describes the effect of an increase in money demand on interest rates and bond prices, assuming a constant money supply. Here option A is the correct answer.

Assuming a constant money supply, an increase in the demand for money will lead to a decrease in bond prices and an increase in interest rates. When the demand for money increases, people will want to hold more cash or cash equivalents, such as short-term bonds or Treasury bills, instead of longer-term bonds. This decrease in demand for longer-term bonds leads to a decrease in their prices, as bond prices and yields have an inverse relationship.

As the demand for short-term, cash-equivalent securities increases, their prices will increase, which leads to a decrease in their yields. This decrease in yields for short-term securities will then lead to an increase in interest rates as they become more attractive to investors.

Overall, an increase in the demand for money will cause bond prices to decrease and interest rates to increase, which reflects the increased preference for cash or short-term securities over longer-term investments.

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Complete question:

Which of the following options best describes the effect of an increase in the demand for money on interest rates and bond prices, assuming a constant money supply?

A) Interest rates will increase and bond prices will decrease.

B) Interest rates will decrease and bond prices will increase.

C) Both interest rates and bond prices will increase.

D) Both interest rates and bond prices will decrease.

the perfectly competitive firm takes the market price as given, while the monopolist chooses an output level that maximizes profit.
T/F

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Profit is equal to total revenue minus total cost, which is calculated as (price)/(quantity produced)/(average cost)/(quantity produced).Thus, it is true.

A completely competitive corporation has only one significant choice to make: how much production volume to create.

A totally competitive corporation is unable to control the price it charges because it must accept the price for its output that is established by the supply and demand for the product in the market. Instead, the perfectly competitive firm has the option of selling any amount of output for the same price.

This suggests that the company's product has a completely elastic demand curve, meaning that customers are eager to purchase any quantity of the company's output at the going rate. When a perfectly competitive corporation decides how much to produce, this amount—along with

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a tariff levied on a good produced in a small nation with an inelastic supply that maximizes the gain to a large nation is called a(n):

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A tariff levied on a good produced in a small nation with an inelastic supply that maximizes the gain to a large nation is called a "optimal tariff".

An optimal tariff is a tariff that is set by a large nation on a good that is produced by a small nation with an inelastic supply in order to maximize its own welfare. This type of tariff is often used as a strategy to protect domestic industries from foreign competition and increase revenue for the imposing country.


An optimal tariff is a type of import tax imposed by a large nation on a good produced in a small nation with an inelastic supply. This tariff is set at a level that maximizes the welfare or gains to the large nation while taking advantage of the small nation's limited ability to respond to the tariff due to its inelastic supply.

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firrea strengthened the capital requirements of savings institutions and constrained their non-mortgage-related asset investment powers using the____

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Firrea strengthened the capital requirements of savings institutions and constrained their non-mortgage-related asset investment powers using the revised qualified thrift lender test, or QTL.

The Financial Institutions Reform, Recovery, and Enforcement Act (FIRREA) was enacted in 1989 in response to the savings and loan crisis. FIRREA introduced several reforms to the banking system, including stronger capital requirements for savings institutions and constraints on their non-mortgage-related asset investment powers. FIRREA established the Resolution Trust Corporation (RTC) to handle the bailout of insolvent savings institutions and authorized the Federal Deposit Insurance Corporation (FDIC) to act as receiver for failed institutions. FIRREA also created the Office of Thrift Supervision (OTS) to regulate savings institutions and transferred regulatory authority for federally-chartered savings banks from the Federal Home Loan Bank Board to the OTS.

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cahuilla corporation predicts the following sales in units for the coming four months: april may june july sales in units 280 320 340 280 each month's ending finished goods inventory should be 40% of the next month's sales. march 31 finished goods inventory is 112 units. a finished unit requires five pounds of direct material b at a cost of $2.00 per pound. the march 31 raw materials inventory has 240 pounds of b. each month's ending raw materials inventory should be 30% of the following month's production needs. the budgeted production for may is:

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The budgeted production for May is 336 units, and the production needs for May are 1680 pounds of direct material B. The raw materials needed for May are 2190 pounds of direct material B.

To calculate the budgeted production for May, we need to determine the total units needed for sales and add the desired ending finished goods inventory, then subtract the beginning finished goods inventory.

First, let's calculate the total units needed for sales for May;

Ending finished goods inventory for May = 0.4 x 320 = 128 units

Total units needed for sales in May = May sales + ending finished goods inventory for May = 320 + 128 = 448 units

Next, we need to calculate the units to be produced in May;

Units to be produced in May = Total units needed for sales and ending finished goods inventory - Beginning finished goods inventory

Units to be produced in May = 448 - 112 = 336 units

Finally, we need to calculate the production needs in pounds of direct material B;

Production needs for May = Units to be produced in May x Direct material B required per unit

Production needs for May = 336 x 5 = 1680 pounds of direct material B

To determine the raw materials needed for May, we need to add the desired ending raw materials inventory to the production needs for May;

Ending raw materials inventory for May = 0.3 x Production needs for June = 0.3 x (340 x 5) = 510 pounds of direct material B

Raw materials needed for May = Production needs for May + Ending raw materials inventory for May

Raw materials needed for May = 1680 + 510 = 2190 pounds of direct material B.

Therefore, the budgeted production for May is 336 units.

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In the market for reserves, if the federal funds rate is above the interest rate paid on excess reserves and below the discount rate, an open market purchase ________ the ________ of reserves which causes the federal funds rate to fall, everything else held constant.

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In the market for reserves, if the federal funds rate is above the interest rate paid on excess reserves and below the discount rate, an open market purchase increases the supply of reserves which will causes the federal funds rate to fall, everything else constant.

An open market purchase is when the Federal Reserve buys government securities from banks, which increases the reserves held by banks. This increases the supply of reserves in the market for reserves, causing the federal funds rate to fall.

If the federal funds rate is above the interest rate paid on excess reserves, banks have an incentive to lend out their excess reserves at the higher federal funds rate.

However, when the Federal Reserve conducts an open market purchase, it increases the supply of reserves, making it easier for banks to meet their reserve requirements without needing to borrow from other banks in the federal funds market.

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if pepsi and coke got together and agreed on a set of prices for soft drinks, this would be an example of . question 12 options: horizontal price fixing vertical price fixing exclusive dealing dual distribution

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Horizontal price fixing occurs when two or more competitors agree to set prices for their products or services at a certain level. The Correct option is A

The example of Pepsi and Coke agreeing on a set of prices for soft drinks is a clear example of horizontal price fixing, as both companies are competitors in the soft drink market. This practice is illegal under antitrust laws because it reduces competition and can lead to higher prices for consumers. On the other hand, options B, C, and D are not examples of horizontal price fixing.

A manufacturer requiring a distributor to sell only their products is an example of exclusive dealing, while a supplier selling their products through both online and brick-and-mortar stores is an example of dual distribution. Finally, a retailer offering exclusive discounts to customers who sign up for their loyalty program is an example of price discrimination, but not horizontal price fixing.

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Complete Question:

Which of the following is an example of horizontal price fixing?

A) Pepsi and Coke agreeing on a set of prices for soft drinks

B) A manufacturer requiring a distributor to sell only their products

C) A supplier selling their products through both online and brick-and-mortar stores

D) A retailer offering exclusive discounts to customers who sign up for their loyalty program

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